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WS Canlife Portfolio IV C Acc (0P00010MB2.L)

LSE - LSE Delayed price. Currency in GBp (0.01 GBP)
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157.46+0.50 (+0.32%)
At close: 09:00PM BST

Risk overview

Morningstar risk rating★★
Number of years up8
Number of years down2
Best 1-yr total return (14 Jun 2024)10.64%
Worst 1-yr total return (14 Jun 2024)N/A

Risk statistics

3 years
0P00010MB2.LCategory average
5 years
0P00010MB2.LCategory average
10 years
0P00010MB2.LCategory average
Alpha
-1.12N/A
-0.86N/A
-0.53N/A
BETA
0.92N/A
0.97N/A
0.92N/A
Mean annual return
0.15N/A
0.31N/A
0.38N/A
R-squared
93.61N/A
95.76N/A
90.58N/A
Standard deviation
7.14N/A
7.82N/A
6.46N/A
Sharpe ratio
-0.13N/A
0.25N/A
0.54N/A
Treynor ratio
-1.26N/A
1.73N/A
3.63N/A